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<SEC-DOCUMENT>0000950137-08-010337.txt : 20080807
<SEC-HEADER>0000950137-08-010337.hdr.sgml : 20080807
<ACCEPTANCE-DATETIME>20080807085749
ACCESSION NUMBER:		0000950137-08-010337
CONFORMED SUBMISSION TYPE:	13F-HR
PUBLIC DOCUMENT COUNT:		1
CONFORMED PERIOD OF REPORT:	20080630
FILED AS OF DATE:		20080807
DATE AS OF CHANGE:		20080807
EFFECTIVENESS DATE:		20080807

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			ASSOCIATED BANC-CORP
		CENTRAL INDEX KEY:			0000007789
		STANDARD INDUSTRIAL CLASSIFICATION:	STATE COMMERCIAL BANKS [6022]
		IRS NUMBER:				391098068
		STATE OF INCORPORATION:			WI
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		13F-HR
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	028-00967
		FILM NUMBER:		08996668

	BUSINESS ADDRESS:	
		STREET 1:		1200 HANSEN ROAD
		CITY:			GREEN BAY
		STATE:			WI
		ZIP:			54304
		BUSINESS PHONE:		920-431-8836

	MAIL ADDRESS:	
		STREET 1:		200 NORTH ADAMS STREET, MS 7829
		CITY:			GREEN BAY
		STATE:			WI
		ZIP:			54301

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	ASSOCIATED BANK SERVICES INC
		DATE OF NAME CHANGE:	19770626
</SEC-HEADER>
<DOCUMENT>
<TYPE>13F-HR
<SEQUENCE>1
<FILENAME>c34537e13fvhr.txt
<DESCRIPTION>FORM 13F-HR
<TEXT>
<PAGE>

                                 UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

       INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
  TO SECTION 13(f) OF THE SECURITIES EXCHANGE ACT OF 1934 AND RULES THEREUNDER

          Report for the Calendar Year or Quarter Ended June 30, 2008

If Amended report check here: [ ]

                              ASSOCIATED BANC-CORP
                    Name of Institutional Investment Manager

                   1200 Hansen Road   Green Bay     WI      54304
- ----------------   ----------------   ---------   -------   -----
Business Address       (Street)         (City)    (State)   (Zip)

                                           Chief Administrative Officer,
  Brian R. Bodager   (920) 431-8815   General Counsel and Corporate Secretary
   Name, Phone No. and Title of Person Duly Authorized to Submit This Report

                                   ATTENTION

                Intentional misstatements or omissions of facts
                     constitute Federal Criminal Violations
                    See 18 U.S.C. 1001 and 15 U.S.C.78ff(a)

The institutional investment manager submitting this form and its attachments
and the person by whom it is signed represent hereby that all information
contained therein is true, correct and complete. It is understood that all
required items, statements and schedules are considered integral parts of this
Form and that the submission of any amendment represents that all unamended
items, statements and schedules remain true, correct and complete as previously
submitted.

Pursuant to the requirements of the Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of Green Bay and State of Wisconsin on the 7th day of
August, 2008.

                                    Associated Banc-Corp
                                    Name of Institutional Investment Manager


                                    /s/ Brian R. Bodager
                                    --------------------------------------------
                                    Manual Signature of Person Duly Authorized
                                    to Submit This Report

Name and 13F file numbers of ALL institutional investment managers with respect
to which this schedule is filed (other than the one filing this report). (List
in alphabetical order.)

13F file numbers will be assigned to Institutional Investment Managers after
they file their first report.

<TABLE>
<CAPTION>
         Name               13F File No.   Name   13F File No.
         ----               ------------   ----   ------------
<S>                         <C>            <C>    <C>
Associated Trust Company,
National Association
</TABLE>

<PAGE>

                                                                          PAGE 1


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED  NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)    (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C>  <C> <C>    <C>       <C>       <C>    <C>
ENBRIDGE ENERGY MANAGEMENT LLC COM      CKC50X106                 248,864        X            2        248,864
   FRACTIONAL SHARE - 29250X103
KINDER MORGAN MGMT LLC FRACTIONAL SH    EKE55U103                  19,625        X            2         19,625
   49455U100
NABORS INDS LTD                         G6359F103        1,363     27,688        X            2         27,688
NABORS INDS LTD                         G6359F103          310      6,300        X    X       2                 6,300
NOBLE CORP COM                          G65422100          227      3,500        X            2          3,500
NOBLE CORP COM                          G65422100          494      7,600        X    X       2                 7,200     400
SEAGATE TECHNOLOGY COM                  G7945J104        5,802    303,304        X            2        300,954  1,250   1,100
SEAGATE TECHNOLOGY COM                  G7945J104          178      9,305        X    X       2          7,105  2,200
LTD PARTNERSHIP INT IN THE STAFFORD     MS0023544          321          6        X            2              6
   INVESTMENTS LTD PARTNERSHIP (GIFTED
LTD PARTNERSHIP INT IN THE STAFFORD     MS0023593        2,783         87        X            2             87
   INVESTMENTS LTD PARTNERSHIP
T WALL PROPERTIES MASTER                MS0038260          920          4        X            2              4
   LIMITED PARTNERSHIP
T WALL PROPERTIES MASTER LIMITED        MS0040282          648        281        X            2            281
   PARTNERSHIP SERIES B UNIT
CHECK POINT SOFTWARE TECH LT ORD        M22465104          739     31,201        X            2         31,201
AFLAC CORP COM                          001055102          349      5,559        X            2          5,559
AIM INVT SECS FDS LTD MATURITY          00142C201          360     35,123        X            2         35,123
   TREAS PORTFOLIO SHS
AT&T INC COM                            00206R102        7,131    211,653        X            2        209,300          2,353
AT&T INC COM                            00206R102          560     16,624        X    X       2         12,036  4,588
ABBOTT LABS COM                         002824100        7,097    133,990        X            2        127,840    550   5,600
ABBOTT LABS COM                         002824100          389      7,350        X    X       2          7,150    200
ADOBE SYSTEMS INC COM                   00724F101          306      7,780        X            2          7,780
ADOBE SYSTEMS INC COM                   00724F101          158      4,000        X    X       2                         4,000
AFFILIATED COMPUTER SVCS INC CL A       008190100          231      4,320        X            2          4,320
AFFILIATED MANAGERS GROUP INC COM       008252108          203      2,250        X            2          2,250
AIR PRODS & CHEMS INC COM               009158106       12,304    124,461        X            2        122,986    350   1,125
AIR PRODS & CHEMS INC COM               009158106          604      6,105        X    X       2          4,665  1,440
                                                     ---------
   COLUMN TOTALS                                        43,477

</TABLE>

<PAGE>

                                                                          PAGE 2


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
ALLIANT ENERGY CORP COM                 018802108          362     10,562        X             2        10,362    200
ALLIANT ENERGY CORP COM                 018802108           14        400        X     X       2           400
ALLSTATE CORP COM                       020002101        4,653    102,061        X             2        95,402    200   6,459
ALLSTATE CORP COM                       020002101          170      3,725        X     X       2         1,525  2,200
ALTRIA GROUP INC COM                    02209S103        2,856    138,917        X             2       131,718          7,199
ALTRIA GROUP INC COM                    02209S103          766     37,254        X     X       2        16,454 16,500   4,300
AMERICAN EXPRESS CO COM                 025816109          715     18,970        X             2        18,970
AMERICAN INTL GROUP INC COM             026874107        1,982     74,893        X             2        72,118     30   2,745
AMERICAN INTL GROUP INC COM             026874107          123      4,644        X     X       2         3,203    175   1,266
AMGEN INC COM                           031162100        1,260     26,722        X             2        26,677     45
AMGEN INC COM                           031162100           24        500        X     X       2           400    100
ANADARKO PETROLEUM CORP COM             032511107          811     10,837        X             2        10,221            616
ANCHOR BANCORP WI INC COM               032839102          801    114,333        X             2        72,846    267  41,220
ANHEUSER BUSCH COS INC COM              035229103        2,339     37,648        X             2        37,548            100
ANHEUSER BUSCH COS INC COM              035229103            5         75        X     X       2            75
AON CORP COM                            037389103        2,949     64,195        X             2        50,445         13,750
APACHE CORP COM                         037411105       13,739     98,843        X             2        98,548    120     175
APACHE CORP COM                         037411105          368      2,650        X     X       2         2,350    300
APPLE INC COM                           037833100       17,840    106,548        X             2       104,188     60   2,300
APPLE INC COM                           037833100          830      4,955        X     X       2         1,635  3,320
APPLIED MATERIALS COM                   038222105        1,390     72,819        X             2        72,719    100
APPLIED MATERIALS COM                   038222105           28      1,450        X     X       2           250    200   1,000
ASSOCIATED BANC CORP COM                045487105      134,013  6,947,302        X             2     6,483,009  9,441 454,852
ASSOCIATED BANC CORP COM                045487105        6,455    334,614        X     X       2       101,737 47,204 185,673
AUTO DATA PROCESS COM                   053015103        1,942     46,341        X             2        44,971    570     800
                                                     ---------
   COLUMN TOTALS                                       196,435
</TABLE>

<PAGE>

                                                                          PAGE 3

                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
AUTO DATA PROCESS COM                   053015103          107     2,555         X    X        2         2,555
AVERY DENNISON CORP COM                 053611109          959    21,833         X             2        21,833
BB&T CORP COM                           054937107        6,286   276,051         X             2       273,001          3,050
BB&T CORP COM                           054937107          361    15,835         X    X        2         5,250 10,585
BJ SVCS CO COM                          055482103        1,152    36,068         X             2        35,618            450
BJ SVCS CO COM                          055482103           64     2,000         X    X        2         2,000
BP PLC ADR                              055622104       12,905   185,498         X             2       146,687    340  38,471
BP PLC ADR                              055622104        1,158    16,644         X    X        2        15,069  1,075     500
BAIRD FDS INSTL AGGREGATE BOND FD       057071854          681    66,670         X             2        66,670
BANK OF AMERICA CORP COM                060505104          619    25,937         X             2        18,769          7,168
BANK OF AMERICA CORP COM                060505104           11       480         X    X        2           480
BANK OF NEW YORK MELLON CORP COM        064058100          223     5,897         X             2         5,397            500
BANK OF NEW YORK MELLON CORP COM        064058100           30       800         X    X        2           300            500
BAXTER INTL COM                         071813109        8,118   126,958         X             2       124,584          2,374
BAXTER INTL COM                         071813109          337     5,275         X    X        2           600  4,675
BEMIS INC COM                           081437105        8,518   379,946         X             2       197,941    200 181,805
BEMIS INC COM                           081437105           80     3,550         X    X        2         2,900    350     300
BERKLEY W R CORP COM                    084423102        3,845   159,145         X             2       156,745    400   2,000
BERKLEY W R CORP COM                    084423102          322    13,345         X    X        2         3,025 10,320
BERKSHIRE HATHAWAY INC DEL CL B COM     084670207          405       101         X             2           100              1
BERKSHIRE HATHAWAY INC DEL CL B COM     084670207            8         2         X    X        2             2
BEST BUY CO INC COM                     086516101          310     7,836         X             2         7,836
BHP LTD SPONS ADR                       088606108       15,350   180,185         X             2       178,595     90   1,500
BHP LTD SPONS ADR                       088606108          818     9,605         X    X        2         3,710  5,295     600
BIOGEN IDEC INC COM                     09062X103          683    12,230         X             2        12,230
                                                     ---------
   COLUMN TOTALS                                        63,350
</TABLE>

<PAGE>

                                                                          PAGE 4


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
BOEING CO COM                           097023105        9,149   139,220         X             2       136,435    625   2,160
BOEING CO COM                           097023105          507     7,720         X    X        2         1,810  5,910
* BOND FUND OF AMERICA F                097873400          231    18,390         X             2        18,390
BRAVO BRANDS INC COM                    105666101                 15,000         X             2        15,000
BRISTOL MYERS-SQUIBB CO COM             110122108        2,097   102,140         X             2        96,190          5,950
BRISTOL MYERS-SQUIBB CO COM             110122108          534    25,992         X    X        2         9,340 13,252   3,400
CSX CORP COM                            126408103          440     7,002         X             2         5,310          1,692
CVS CAREMARK CORP COM                   126650100       16,278   411,368         X             2       402,683          8,685
CVS CAREMARK CORP COM                   126650100          773    19,522         X    X        2         7,108 12,414
CAPITAL ONE FINL CORP COM               14040H105          499    13,141         X             2        12,588            553
CAPITAL ONE FINL CORP COM               14040H105          710    18,675         X    X        2        13,284          5,391
CARROLL SHELBY INTL INC COM             14521N100           14    18,000         X             2                       18,000
CATERPILLAR INC COM                     149123101       13,172   178,441         X             2       172,581    515   5,345
CATERPILLAR INC COM                     149123101          626     8,485         X    X        2         5,170  2,670     645
CELGENE CORP COM                        151020104       12,337   193,164         X             2       192,064          1,100
CELGENE CORP COM                        151020104          460     7,205         X    X        2           790  6,415
CENT EUROPEAN DISTRIBUTION CORP COM     153435102        1,057    14,250         X             2        14,250
CHERRY ST INVT CLUB LTD PARTNERSHIP     164740904          371        75         X             2            75
CHEVRON CORP COM                        166764100       19,997   201,731         X             2       186,115    590  15,026
CHEVRON CORP COM                        166764100        1,303    13,141         X    X        2         7,593  5,240     308
CHICAGO BRIDGE & IRON CO N V            167250109        1,894    47,567         X             2        47,567
CHICAGO BRIDGE & IRON CO N V            167250109           40     1,000         X    X        2           800    100     100
CISCO SYSTEMS INC COM                   17275R102        6,195   266,325         X             2       255,975         10,350
CISCO SYSTEMS INC COM                   17275R102          410    17,610         X    X        2         7,650  9,860     100
CITIGROUP INC COM                       172967101          450    26,873         X             2        26,373            500
                                                     ---------
   COLUMN TOTALS                                        89,544
</TABLE>

<PAGE>

                                                                          PAGE 5


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
CITIGROUP INC COM                       172967101           19      1,141        X     X       2           866    275
CITIZENS REPUBLIC BANCORP INC           174420109           67     23,708        X             2        14,681          9,027
CLOROX CO COM                           189054109          992     19,000        X             2        19,000
CLOROX CO COM                           189054109          885     16,947        X     X       2               16,947
COCA COLA CO COM                        191216100       15,379    295,860        X             2       290,210    275   5,375
COCA COLA CO COM                        191216100          608     11,704        X     X       2         4,534  7,170
COGNIZANT TECH SOLUTIONS CORP CL A      192446102       10,760    330,993        X             2       329,168          1,825
COGNIZANT TECH SOLUTIONS CORP CL A      192446102          452     13,915        X     X       2         3,765 10,150
COLGATE PALMOLIVE CO COM                194162103        4,784     69,232        X             2        66,932     50   2,250
COLGATE PALMOLIVE CO COM                194162103          676      9,790        X     X       2         4,922  3,168   1,700
COMCAST CORP NEW CL A                   20030N101          449     23,670        X             2        23,270            400
COMCAST CORP NEW CL A                   20030N101            7        388        X     X       2           145    243
CONOCOPHILLIPS COM                      20825C104       17,131    181,492        X             2       177,207          4,285
CONOCOPHILLIPS COM                      20825C104          703      7,450        X     X       2           925  6,525
CONSOLIDATED EDISON INC COM             209115104          293      7,503        X             2         7,503
CONSOLIDATED EDISON INC COM             209115104           32        830        X     X       2           830
CORUS BANKSHARES INC COM                220873103           80     19,200        X             2         6,000         13,200
COUNTRY MAID FINANCIAL INC COM NEW      222356206                  66,000        X             2        66,000
COVANCE INC COM                         222816100       15,608    181,450        X             2       178,420    130   2,900
COVANCE INC COM                         222816100          661      7,690        X     X       2         1,260  6,430
DANAHER CORP COM                        235851102        3,279     42,423        X             2        42,033    200     190
DANAHER CORP COM                        235851102          155      2,010        X     X       2         1,660    350
DEAN FOODS CO NEW COM                   242370104          530     26,991        X             2        20,540    450   6,001
DEAN FOODS CO NEW COM                   242370104           54      2,750        X     X       2                2,750
DEERE & CO COM                          244199105          369      5,120        X             2           120          5,000
                                                     ---------
   COLUMN TOTALS                                        73,973
</TABLE>

<PAGE>

                                                                          PAGE 6


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                         <C>      <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
DELL INC COM                            24702R101          235     10,746        X             2        10,446            300
DELL INC COM                            24702R101           13        600        X    X        2           200            400
DICKS SPORTING GOODS INC COM            253393102          262     14,785        X             2        14,785
DISNEY WALT CO COM                      254687106       14,706    471,341        X             2       462,816    600   7,925
DISNEY WALT CO COM                      254687106          687     22,025        X    X        2        10,875 11,150
DOMINION RESOURCES INC NEW COM          25746U109          686     14,448        X             2        14,448
DOMINION RESOURCES INC NEW COM          25746U109           47      1,000        X    X        2         1,000
DOW CHEMICAL CO COM                     260543103        1,907     54,620        X             2        54,020            600
DU PONT E I DE NEMOURS & CO COM         263534109          217      5,059        X             2         3,264          1,795
DUN & BRADSTREET CORP DEL COM           26483E100          792      9,038        X             2         1,288          7,750
DUN & BRADSTREET CORP DEL COM           26483E100          232      2,650        X    X        2           550          2,100
ENSCO INTL INC COM                      26874Q100        2,224     27,544        X             2        27,419    125
ENSCO INTL INC COM                      26874Q100          249      3,090        X    X        2         2,475    615
EOG RESOURCES INC COM                   26875P101        2,615     19,935        X             2        19,895     40
EOG RESOURCES INC COM                   26875P101          115        875        X    X        2           800     75
EL PASO CORP COM                        28336L109          559     25,698        X             2        25,698
ELECTRONIC ARTS INC COM                 285512109        7,875    177,238        X             2       175,888          1,350
ELECTRONIC ARTS INC COM                 285512109          375      8,450        X    X        2           900  7,550
EMERSON ELEC CO COM                     291011104          461      9,319        X             2         8,219          1,100
ENERVEST DIVERSIFIED INCOME TRUST       292963105           70     12,000        X    X        2        12,000
EXELON CORP COM                         30161N101          376      4,181        X             2         4,181
EXELON CORP COM                         30161N101           53        588        X    X        2           588
EXXON MOBIL CORP COM                    30231G102       30,856    350,122        X             2       317,945  1,300  30,877
EXXON MOBIL CORP COM                    30231G102        3,841     43,579        X    X        2        30,643  2,010  10,926
FPL GROUP INC COM                       302571104        3,302     50,350        X             2        50,350
                                                     ---------
   COLUMN TOTALS                                        72,755
</TABLE>

<PAGE>

                                                                          PAGE 7


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
FPL GROUP INC COM                       302571104          115      1,750        X    X        2          1,750
FEDEX CORP COM                          31428X106        1,281     16,261        X             2         16,261
FEDEX CORP COM                          31428X106           84      1,065        X    X        2          1,015     50
* FIDELITY SPARTAN MN MUNI INC FD       316412303        1,191    107,942        X             2        107,942
* FIRST AMERICAN MINNESOTA TAX FREE     318929825          241     22,977        X             2         22,977
FIRST MANITOWOC BANCORP INC NEW COM     32076T108          369     27,100        X             2         27,100
FIRST MANITOWOC BANCORP INC NEW COM     32076T108        1,196     87,812        X    X        2         87,812
FISERV INC COM                          337738108          339      7,468        X             2          4,400          3,068
FISERV INC COM                          337738108           25        550        X    X        2            550
FORTUNE BRANDS INC COM                  349631101        1,907     30,560        X             2         30,360    100     100
FORTUNE BRANDS INC COM                  349631101           32        505        X    X        2            455     50
FRANKLIN RESOURCES INC COM              354613101        1,487     16,220        X             2         16,220
FRANKLIN RESOURCES INC COM              354613101          733      8,000        X    X        2          4,500          3,500
FREEPORT MCMORAN COPPER & GOLD COM      35671D857        3,013     25,708        X             2         25,485     23     200
FREEPORT MCMORAN COPPER & GOLD COM      35671D857           64        549        X    X        2            509     40
GENERAL ELEC CO COM                     369604103       18,148    679,953        X             2        577,837  3,475  98,641
GENERAL ELEC CO COM                     369604103        1,122     42,036        X    X        2         34,741  5,645   1,650
GENERAL MILLS INC COM                   370334104          353      5,815        X             2          5,456            359
GLAXO SMITHKLINE NEW ADR                37733W105          571     12,912        X             2         12,002            910
GLAXO SMITHKLINE NEW ADR                37733W105          206      4,655        X    X        2          3,000  1,655
GOLDMAN SACHS GRP INC COM               38141G104       10,912     62,389        X             2         61,989     50     350
GOLDMAN SACHS GRP INC COM               38141G104          407      2,325        X    X        2            590  1,435     300
GOLDMAN SACHS CORE FIXED INCOME CL A    38142B419          124     13,270        X             2         13,270
* GOLDMAN SACHS HIGH YIELD MUNI         38142Y583          183     19,303        X             2         19,303
   INSTL CL
GOOGLE INC CL A COM                     38259P508       15,459     29,367        X             2         29,172     25     170
                                                     ---------
   COLUMN TOTALS                                        59,562
</TABLE>

<PAGE>

                                                                          PAGE 8


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
GOOGLE INC CL A COM                     38259P508          694      1,319        X    X        2          140  1,079     100
GRAINGER W W INC COM                    384802104          355      4,335        X             2        4,235            100
GUESS INC COM                           401617105        3,534     94,360        X             2       94,360
GUESS INC COM                           401617105           20        525        X    X        2                 525
JOHN HANCOCK BANK & THRIFT OPP FD       409735107          845    185,385        X             2      185,385
HARLEY DAVIDSON INC COM                 412822108          472     13,004        X             2       12,854            150
HARLEY DAVIDSON INC COM                 412822108           53      1,468        X    X        2        1,468
HARRIS CORP DEL COM                     413875105       18,156    359,601        X             2      354,181  1,475   3,945
HARRIS CORP DEL COM                     413875105          795     15,755        X    X        2        5,115 10,640
HARSCO CORP COM                         415864107       17,582    323,143        X             2      320,768          2,375
HARSCO CORP COM                         415864107          564     10,370        X    X        2        2,090  8,280
HEINZ H J CO COM                        423074103          224      4,687        X             2        3,712            975
HEINZ H J CO COM                        423074103           11        225        X    X        2                         225
HEWLETT PACKARD CO COM                  428236103        7,217    163,247        X             2      161,322          1,925
HEWLETT PACKARD CO COM                  428236103          314      7,110        X    X        2          535  6,575
HOLOGIC INC COM                         436440101       13,561    622,076        X             2      618,776    425   2,875
HOLOGIC INC COM                         436440101          556     25,505        X    X        2        8,700 16,805
HOME DEPOT INC COM                      437076102          174      7,450        X             2        7,350            100
HOME DEPOT INC COM                      437076102           63      2,700        X    X        2        1,150  1,150     400
HONEYWELL INTL INC COM                  438516106          224      4,456        X             2          286          4,170
HOST HOTELS & RESORTS INC COM           44107P104        3,128    229,124        X             2      225,224          3,900
HOST HOTELS & RESORTS INC COM           44107P104          237     17,330        X    X        2        2,580 14,750
HUBBELL INC CL A COM                    443510102          100      2,168        X             2        2,168
HUBBELL INC CL A COM                    443510102          111      2,400        X    X        2                       2,400
IMS HEALTH INC COM                      449934108          803     34,450        X             2        3,450         31,000
                                                     ---------
   COLUMN TOTALS                                        69,793
</TABLE>

<PAGE>

                                                                          PAGE 9


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
IMS HEALTH INC COM                      449934108          228      9,800        X    X        2                        9,800
ILLINOIS TOOL WORKS INC COM             452308109        2,792     58,771        X             2        57,571          1,200
ILLINOIS TOOL WORKS INC COM             452308109          148      3,125        X    X        2         2,425            700
* INCOME FUND OF AMERICA INC COM F      453320400          426     24,752        X             2        24,752
* INCOME FUND OF AMERICA INC COM F      453320400           29      1,693        X    X        2         1,693
INFOSYS TECHNOLOGIES LTD SPONS ADR      456788108        1,967     45,255        X             2        45,255
INFOSYS TECHNOLOGIES LTD SPONS ADR      456788108           45      1,040        X    X        2                1,040
INTEL CORP COM                          458140100        6,595    307,025        X             2       298,355    470   8,200
INTEL CORP COM                          458140100          556     25,896        X    X        2        15,280  6,116   4,500
INTEGRYS ENERGY GROUP INC COM           45822P105        5,259    103,456        X             2       102,453          1,003
INTEGRYS ENERGY GROUP INC COM           45822P105          555     10,913        X    X        2         3,213  5,500   2,200
INTERNATIONAL BUSINESS MACHS COM        459200101        5,417     45,703        X             2        42,812     35   2,856
INTERNATIONAL BUSINESS MACHS COM        459200101          158      1,337        X    X        2         1,262     75
INTERNATIONAL GAME TECHNOLOGY COM       459902102          575     23,015        X             2        23,015
INTERNATIONAL GAME TECHNOLOGY COM       459902102            2        100        X    X        2                  100
INVERNESS MEDICAL INNOVATIONS COM       46126P106        2,054     61,925        X             2        61,925
IRON MOUNTAIN INC NEW COM               462846106          239      9,000        X             2         4,500          4,500
ISHARES TR MSCI EAFE IDX                464287465        1,761     25,650        X             2        25,650
ISHARES TR MSCI EAFE IDX                464287465          161      2,346        X    X        2         1,125  1,221
ISHARES TR NASDAQ BIOTECH               464287556          597      7,767        X             2         7,767
ISHARES TR RUSSELL 1000 VALUE INDEX     464287598        1,315     19,050        X             2        19,050
ISHARES TR RUSSELL 2000                 464287655        1,335     19,330        X             2        19,330
ISHARES TR RUSSELL 2000                 464287655           70      1,010        X    X        2                1,010
ISHARES TR DJ US TELECOMM COM           464287713          367     15,215        X             2        15,215
ISHARES TR DJ US TELECOMM COM           464287713            6        250        X    X        2           250
                                                     ---------
        COLUMN TOTALS                                   32,657
</TABLE>

<PAGE>

                                                                         PAGE 10


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
ISHARES TR S & P SMCP600 IDX            464287804          511      8,485        X             2         8,485
ISHARES TR S & P SMCP600 IDX            464287804           31        510        X    X        2           510
J CREW GROUP INC COM                    46612H402          521     15,785        X             2        15,785
J CREW GROUP INC COM                    46612H402            4        120        X    X        2           120
JPMORGAN CHASE & CO COM                 46625H100        2,355     68,635        X             2        49,689         18,946
JPMORGAN CHASE & CO COM                 46625H100          205      5,965        X    X        2         5,305            660
JOHNSON & JOHNSON COM                   478160104       12,527    194,701        X             2       185,821    485   8,395
JOHNSON & JOHNSON COM                   478160104          606      9,416        X    X        2         6,791  1,625   1,000
JOHNSON CONTROLS INC COM                478366107        2,098     73,143        X             2        73,143
JOHNSON CONTROLS INC COM                478366107           22        750        X    X        2           750
JOY GLOBAL INC COM                      481165108       10,060    132,662        X             2       131,717    120     825
JOY GLOBAL INC COM                      481165108          425      5,610        X    X        2           565  4,885     160
KEYCORP NEW COM                         493267108          200     18,190        X             2        18,190
KEYCORP NEW COM                         493267108           41      3,740        X    X        2         3,740
KIMBERLY CLARK CORP COM                 494368103      111,849  1,871,012        X             2     1,282,670    200 588,142
KIMBERLY CLARK CORP COM                 494368103        7,523    125,845        X    X        2        68,755    315  56,775
KINDER MORGAN ENERGY LIMITED            494550106          223      4,006        X             2         3,600            406
   PARTNERSHIP
KINDER MORGAN ENERGY LIMITED            494550106           17        300        X    X        2                          300
   PARTNERSHIP
KOHLS CORP COM                          500255104        1,139     28,439        X             2        28,439
KOHLS CORP COM                          500255104           56      1,405        X    X        2           905            500
KRAFT FOODS INC CL A COM                50075N104        2,422     85,126        X             2        83,465          1,661
KRAFT FOODS INC CL A COM                50075N104          733     25,779        X    X        2        11,386 11,418   2,975
LEGG MASON INC COM                      524901105        1,782     40,909        X             2        40,909
LEGG MASON INC COM                      524901105           56      1,295        X    X        2           960    335
LIFESPAN INC COM                        53221W101                  50,000        X             2        50,000
                                                     ---------
   COLUMN TOTALS                                       155,406
</TABLE>

<PAGE>

                                                                         PAGE 11


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
LILLY ELI & CO COM                      532457108        2,666     57,760        X             2        56,910     50     800
LILLY ELI & CO COM                      532457108          228      4,940        X    X        2         3,240    100   1,600
LOCKHEED MARTIN CORP COM                539830109          397      4,022        X             2         4,022
* LORD ABBETT NATL TAX FREE INC CL A    543902100          343     32,718        X             2        32,718
LORD ABBETT GOVT FUND CL A              543916308          208     80,651        X             2        80,651
LORILLARD INC COM                       544147101       16,879    244,053        X             2       242,078          1,975
LORILLARD INC COM                       544147101          591      8,540        X    X        2         1,255  7,285
LOWES COS INC COM                       548661107          257     12,398        X             2        12,398
LOWES COS INC COM                       548661107           31      1,500        X    X        2         1,500
MGE ENERGY INC COM                      55277P104          203      6,237        X             2         6,012    225
MGE ENERGY INC COM                      55277P104           43      1,325        X    X        2         1,325
MANITOWOC CO INC COM                    563571108        4,428    136,120        X             2       103,084         33,036
MANITOWOC CO INC COM                    563571108          963     29,618        X    X        2        28,618          1,000
MARSHALL & ILSLEY CORP NEW              571837103        6,719    438,328        X             2       433,192          5,136
   COM
MARSHALL & ILSLEY CORP NEW              571837103          695     45,328        X    X        2        18,857 17,780   8,691
   COM
MASCO CORP COM                          574599106          675     42,894        X             2        42,484            410
MCDONALDS CORP COM                      580135101       17,923    318,804        X             2       316,204    425   2,175
MCDONALDS CORP COM                      580135101          913     16,246        X    X        2         4,956 11,290
MCGRAW-HILL CO INC COM                  580645109          419     10,450        X             2         7,650          2,800
MCGRAW-HILL CO INC COM                  580645109          104      2,600        X    X        2         2,600
MEDCO HEALTH SOLUTIONS INC COM          58405U102          270      5,712        X             2         5,496            216
MEDCO HEALTH SOLUTIONS INC COM          58405U102            7        144        X    X        2                          144
MEDTRONIC INC COM                       585055106        5,904    114,082        X             2       101,557         12,525
MEDTRONIC INC COM                       585055106          345      6,675        X    X        2         4,445    780  1,450
MERCK & CO INC COM                      589331107       10,698    283,843        X             2       280,218          3,625
                                                     ---------
   COLUMN TOTALS                                        71,909
</TABLE>

<PAGE>

                                                                         PAGE 12


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
MERCK & CO INC COM                      589331107          435     11,535        X    X        2         3,891  7,644
METAVANTE TECHNOLOGIES INC              591407101          812     35,896        X             2        35,896
    COM
METAVANTE TECHNOLOGIES INC              591407101          150      6,610        X    X        2         3,713          2,897
    COM
MICROSOFT CORP COM                      594918104       12,866    467,676        X             2       457,276    150  10,250
MICROSOFT CORP COM                      594918104          569     20,698        X    X        2        11,606  7,492   1,600
MICROCHIP TECHNOLOGY INC COM            595017104        1,238     40,523        X             2        40,523
MIDCAP SP DR TR UNIT SER 1 COM          595635103        2,362     15,875        X             2        14,075          1,800
MIDCAP SP DR TR UNIT SER 1 COM          595635103          231      1,550        X    X        2           840    710
MILLIPORE CORP COM                      601073109        1,648     24,280        X             2        24,220     60
MILLIPORE CORP COM                      601073109           43        630        X    X        2           525    105
MOLEX INC CL A                          608554200          352     15,366        X             2        15,366
MONSANTO CO NEW COM                     61166W101          293      2,316        X             2         1,962            354
MOODYS CORP COM                         615369105        1,233     35,808        X             2         4,808         31,000
MOODYS CORP COM                         615369105          365     10,600        X    X        2         2,200          8,400
MORGAN STANLEY COM                      617446448          635     17,618        X             2        14,146          3,472
MOTOROLA INC COM                        620076109           70      9,583        X             2         6,583          3,000
MOTOROLA INC COM                        620076109           13      1,800        X    X        2         1,800
NEENAH PAPER INC COM                    640079109          731     43,769        X             2        33,479         10,290
NEENAH PAPER INC COM                    640079109           31      1,881        X    X        2           145          1,736
NESTLE S A SPONSORED ADR                641069406        1,204     10,625        X             2         9,325          1,300
NEWELL RUBBERMAID INC COM               651229106          226     13,435        X             2        13,435
NEWMONT MINING CORP HOLDING CO COM      651639106        2,113     40,515        X             2        40,485     30
NEWMONT MINING CORP HOLDING CO COM      651639106           50        965        X    X        2           800    165
NIKE INC CL B                           654106103        6,686    112,166        X             2       111,056    160     950
NIKE INC CL B                           654106103          343      5,760        X    X        2         2,745  3,015
                                                     ---------
   COLUMN TOTALS                                        34,699
</TABLE>

<PAGE>

                                                                         PAGE 13


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
* NORTH TRACK WIS TAX EXEMPT FD         663038768          116     11,436        X             2               11,436
NORTHERN TRUST CORP COM                 665859104        5,183     75,588        X             2        75,028     60     500
NORTHERN TRUST CORP COM                 665859104          189      2,762        X    X        2         2,037    725
NORTHROP GRUMMAN CORP COM               666807102        1,703     25,460        X             2        25,460
NOVARTIS AG SPONS ADR                   66987V109        1,075     19,540        X             2        19,540
NOVARTIS AG SPONS ADR                   66987V109           18        325        X    X        2           250     75
OLD SECOND BANCORP INC ILL COM          680277100          132     11,334        X             2        11,334
OLD SECOND BANCORP INC ILL COM          680277100           62      5,334        X    X        2                        5,334
OMNICOM GROUP INC COM                   681919106          490     10,918        X             2        10,918
* OPPENHEIMER SENIOR FLOATING RATE      68381K309          288     34,237        X             2        34,237
ORACLE CORP COM                         68389X105          200      9,547        X             2         7,547          2,000
OSHKOSH CORPORATION                     688239201        8,549    413,206        X             2       406,136    575   6,495
OSHKOSH CORPORATION                     688239201          339     16,405        X    X        2         2,540 13,565     300
* PIMCO PAC INVT MGMT HIGH YIELD FD     693390841        1,837    203,398        X             2       199,620          3,778
* PIMCO PAC INVT MGMT HIGH YIELD FD     693390841          152     16,876        X    X        2        10,348  6,528
* PIMCO REAL RETURN BOND FD INSTL CL    693391104          432     38,410        X             2        38,410
PAYCHEX INC COM                         704326107          246      7,880        X             2         7,880
PAYCHEX INC COM                         704326107            5        166        X    X        2           166
PENNEY J C INC COM                      708160106          428     11,785        X             2         9,241          2,544
PENTAIR INDS INC COM                    709631105          515     14,710        X             2        14,710
PENTAIR INDS INC COM                    709631105          441     12,600        X    X        2               12,600
PEPSICO INC COM                         713448108       21,671    340,797        X             2       324,408    675  15,714
PEPSICO INC COM                         713448108        1,381     21,724        X    X        2        13,749  7,975
PFIZER INC COM                          717081103        6,614    378,622        X             2       355,748     75  22,799
PFIZER INC COM                          717081103          744     42,567        X    X        2        22,067  1,650  18,850
                                                     ---------
   COLUMN TOTALS                                        52,810
</TABLE>

<PAGE>

                                                                         PAGE 14


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
PHILIP MORRIS INTERNATIONAL INC COM     718172109        8,706    176,279        X             2       173,303          2,976
PHILIP MORRIS INTERNATIONAL INC COM     718172109        1,895     38,364        X    X        2        16,779 17,285   4,300
PLEXUS CORP COM                         729132100        1,750     63,225        X             2        25,225         38,000
PLEXUS CORP COM                         729132100          138      5,000        X    X        2                        5,000
PLUM CREEK TIMBER CO INC (REIT)         729251108        5,049    118,229        X             2       115,104    175   2,950
PLUM CREEK TIMBER CO INC (REIT)         729251108          302      7,065        X    X        2         2,090  3,975   1,000
POWERSHARES QQQ TRST SER 1              73935A104          217      4,800        X             2           500          4,300
PRECISION CASTPARTS CORP COM            740189105          142      1,475        X             2         1,475
PRECISION CASTPARTS CORP COM            740189105          816      8,464        X    X        2                8,464
T ROWE PRICE GROUP INC COM              74144T108        9,781    173,206        X             2       171,151    280   1,775
T ROWE PRICE GROUP INC COM              74144T108          431      7,625        X    X        2           900  6,725
PRINCIPAL FINL GRP INC COM              74251V102        1,140     27,152        X             2        27,152
PRINCIPAL FINL GRP INC COM              74251V102            2         50        X    X        2                   50
PROCTER & GAMBLE CO COM                 742718109       26,480    435,463        X             2       403,250  3,900  28,313
PROCTER & GAMBLE CO COM                 742718109        1,631     26,822        X    X        2        17,587  9,135     100
* PUTNAM TAX EXEMPT INC FD CL A         746870104          149     17,714        X             2        17,714
QUALCOMM INC COM                        747525103       11,555    260,418        X             2       243,088    200  17,130
QUALCOMM INC COM                        747525103          478     10,765        X    X        2         2,600  7,365     800
RESEARCH IN MOTION LTD COM              760975102        5,671     48,514        X             2        48,214            300
RESEARCH IN MOTION LTD COM              760975102           20        175        X    X        2                  175
ROCHE HLDG LTD ADR                      771195104        3,220     35,651        X             2        35,001    100     550
ROCHE HLDG LTD ADR                      771195104          244      2,700        X    X        2           250  2,450
ROCKWELL AUTOMATION INC COM             773903109          307      7,025        X             2         7,025
ROCKWELL AUTOMATION INC COM             773903109          105      2,400        X    X        2         2,400
ROYAL DUTCH SHELL PLC SPONS ADR A       780259206        1,421     17,388        X             2        17,388
                                                     ---------
   COLUMN TOTALS                                        81,650
</TABLE>

<PAGE>

                                                                         PAGE 15


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
SLM CORP COM                            78442P106          902     46,620        X             2        46,620
SLM CORP COM                            78442P106            2        110        X    X        2                  110
SPDR TR UNIT SER 1                      78462F103        6,078     47,488        X             2        45,898          1,590
SPDR TR UNIT SER 1                      78462F103          461      3,603        X    X        2                1,703   1,900
SPX CORP COM                            784635104        8,230     62,480        X             2        61,755            725
SPX CORP COM                            784635104          316      2,400        X    X        2                2,400
ST JUDE MEDICAL INC COM                 790849103          278      6,800        X             2         6,800
SAN JUAN BASIN RTY TR BEN INT COM       798241105           46      1,000        X             2         1,000
SAN JUAN BASIN RTY TR BEN INT COM       798241105          268      5,800        X    X        2         5,800
SCHERING PLOUGH CORP COM                806605101          478     24,257        X             2        19,057          5,200
SCHERING PLOUGH CORP COM                806605101          122      6,200        X    X        2         3,600          2,600
SCHLUMBERGER LTD COM                    806857108       25,453    236,927        X             2       233,162    140   3,625
SCHLUMBERGER LTD COM                    806857108        1,223     11,380        X    X        2         5,545  5,185     650
SCHWEITZER-MAUDUIT INTL INC COM         808541106          687     40,770        X             2        12,104     84  28,582
SCHWEITZER-MAUDUIT INTL INC COM         808541106           38      2,253        X    X        2            44          2,209
SEALED AIR CORP NEW COM                 81211K100          282     14,850        X             2        14,850
SEALED AIR CORP NEW COM                 81211K100          134      7,060        X    X        2                7,060
SELECT SECTOR SPDR TR MATERIALS         81369Y100          578     13,850        X             2        13,850
SELECT SECTOR SPDR TR HEALTHCARE        81369Y209          864     28,265        X             2        28,265
SELECT SECTOR SPDR TR HEALTHCARE        81369Y209           13        440        X    X        2           125            315
SELECT SECTOR SPDR TR CONSUM STAPLES    81369Y308        1,266     47,335        X             2        47,335
SELECT SECTOR SPDR TR CONSUM STAPLES    81369Y308           45      1,700        X    X        2                1,700
SELECT SECTOR SPDR TR ENERGY            81369Y506        3,277     37,035        X             2        36,935            100
SELECT SECTOR SPDR TR ENERGY            81369Y506           48        545        X    X        2           470             75
SELECT SECTOR SPDR TR FINANCE           81369Y605          635     31,340        X             2        31,340
                                                     ---------
   COLUMN TOTALS                                        51,724
</TABLE>

<PAGE>

                                                                         PAGE 16


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
SELECT SECTOR SPDR TR FINANCE           81369Y605            7        335        X    X        2           335
SELECT SECTOR SPDR TR INDUSTRIAL        81369Y704        1,252     36,820        X             2        36,820
SELECT SECTOR SPDR TR INDUSTRIAL        81369Y704            8        245        X    X        2           245
SELECT SECTOR SPDR TR TECHNOLOGY        81369Y803        5,467    238,635        X             2       238,335            300
SELECT SECTOR SPDR TR TECHNOLOGY        81369Y803           53      2,300        X    X        2           500  1,800
SIGMA ALDRICH CORP COM                  826552101          238      4,418        X             2         4,418
SIGMA ALDRICH CORP COM                  826552101          280      5,200        X    X        2         3,200          2,000
SMITH INTL INC COM                      832110100          670      8,060        X             2         8,060
SMITH INTL INC COM                      832110100           25        300        X    X        2           300
SOUTHERN CO COM                         842587107        4,130    118,279        X             2       116,679          1,600
SOUTHERN CO COM                         842587107          198      5,670        X    X        2         4,270  1,400
STAPLES INC COM                         855030102          378     15,930        X             2        15,280    500     150
STAPLES INC COM                         855030102           16        660        X    X        2           660
STARBUCKS CORP COM                      855244109          252     16,035        X             2        14,035          2,000
STARBUCKS CORP COM                      855244109           22      1,400        X    X        2                        1,400
STATE STREET CORP COM                   857477103       10,704    167,275        X             2       165,220     55   2,000
STATE STREET CORP COM                   857477103          549      8,585        X    X        2         5,200  3,385
SUNTRUST BANKS INC COM                  867914103          899     24,834        X             2        24,019            815
SUPERVALU INC COM                       868536103          539     17,450        X             2         5,800         11,650
SYSCO CORP COM                          871829107        5,387    195,826        X             2       193,801     75   1,950
SYSCO CORP COM                          871829107          220      8,000        X    X        2         7,800    200
TARGET CORP COM                         87612E106          118      2,535        X             2         2,335            200
TARGET CORP COM                         87612E106          119      2,565        X    X        2         2,250    315
TENARIS SA ADR                          88031M109        4,045     54,295        X             2        54,145     50     100
TENARIS SA ADR                          88031M109          102      1,370        X    X        2           760    610
                                                     ---------
   COLUMN TOTALS                                        35,678
</TABLE>

<PAGE>

                                                                         PAGE 17


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
        ITEM 1 AND 2                      ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
TEVA PHARMACEUTICAL IND ADR             881624209       10,751    234,737        X             2       232,512    250   1,975
TEVA PHARMACEUTICAL IND ADR             881624209          494     10,785        X    X        2         3,375  7,410
TEXAS INSTR INC COM                     882508104        1,048     37,203        X             2        36,603            600
TEXAS INSTR INC COM                     882508104            3        100        X    X        2           100
THERMO FISHER SCIENTIFIC INC            883556102       14,798    265,540        X             2       264,115          1,425
THERMO FISHER SCIENTIFIC INC            883556102          680     12,210        X    X        2         1,950 10,260
3M COMPANY COM                          88579Y101        5,983     85,977        X             2        69,765     50  16,162
3M COMPANY COM                          88579Y101          659      9,475        X    X        2         1,925    350   7,200
TORONTO DOMINION BK ONTARIO CAN COM     891160509          324      5,200        X             2         5,200
TREEHOUSE FOODS INC COM                 89469A104          308     12,678        X             2        12,678
TREEHOUSE FOODS INC COM                 89469A104           18        740        X    X        2                  740
US BANCORP DEL NEW COM                  902973304        6,335    227,147        X             2       219,207    350   7,590
US BANCORP DEL NEW COM                  902973304          970     34,766        X    X        2        21,811  2,350  10,605
UNION PAC CORP COM                      907818108          785     10,402        X             2         8,802          1,600
UNITED FIRE & CASUALTY CO COM           910331107          229      8,500        X             2         8,500
UNITED PARCEL SERVICES INC COM          911312106        1,130     18,378        X             2        18,378
UNITED PARCEL SERVICES INC COM          911312106           15        250        X    X        2           250
UNITED TECHNOLOGIES CORP COM            913017109          875     14,176        X             2        14,176
* VANGUARD TOTAL BD MARKET INDEX FD     921937108        9,787    975,721        X             2       974,192          1,529
*VANGUARD TOT BOND MKT INDEX SIGNAL     921937868       43,831  4,369,591        X             2     4,336,942 27,482   5,167
*VANGUARD TOT BOND MKT INDEX SIGNAL     921937868          765     76,230        X    X        2        11,870 54,310  10,050
* VANGUARD HIGH YIELD CORP PORTFOLIO    922031208          199     35,718        X             2        35,718
* VANGUARD SHORT TERM INV GRADE FD      922031406        3,410    324,403        X             2       314,746          9,657
* VANGUARD FIXED INC SHORT TERM CORP    922031836       81,035  7,709,845        X             2     7,559,017 51,545  99,283
    ADMIRAL SHARES
* VANGUARD FIXED INC SHORT TERM CORP    922031836        1,174    111,710        X    X        2        51,451 60,259
    ADMIRAL SHARES
                                                     ---------
   COLUMN TOTALS                                       185,606
</TABLE>

<PAGE>

                                                                         PAGE 18


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
            ITEM 1 AND 2                  ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
VANGUARD PA LONG TERM TAX EXEMPT FD     92204L302          339     31,377        X             2        31,377
* VANGUARD INTERMED TERM MUNI BD FD     922907209        1,667    127,868        X             2       127,868
* VANGUARD LTD TERM MUNI BOND FD        922907704        1,164    108,404        X             2       103,112          5,292
* VANGUARD SHORT TERM TAX EXEMPT        922907803          250     15,929        X             2        15,929
   MUNI BOND FD ADMIRAL SHS
* VANGUARD INTERMED TERM TAX EXEMPT     922907878        1,212     92,913        X             2        92,913
   MUNI BOND FD ADMIRAL SHS
* VANGUARD LTD TERM TAX EXEMPT MUNI     922907886        1,850    172,284        X             2       172,284
   BOND FS ADMIRAL SHS
VANGUARD INDEX FDS LARGE CAP ETF        922908637          378      6,525        X             2         6,525
VERIZON COMMUNICATIONS COM              92343V104        5,224    147,578        X             2       145,414          2,164
VERIZON COMMUNICATIONS COM              92343V104          150      4,224        X    X        2         2,824  1,400
VODAFONE GROUP PLC ADR                  92857W209        2,474     83,968        X             2        83,968
   (CONSOLIDATION)
VODAFONE GROUP PLC ADR                  92857W209           42      1,422        X    X        2           547    875
   (CONSOLIDATION)
WACHOVIA CORP NEW COM                   929903102          192     12,372        X             2        12,372
WACHOVIA CORP NEW COM                   929903102          144      9,292        X    X        2         4,510          4,782
WAL MART STORES INC COM                 931142103        1,165     20,725        X             2        20,725
WAL MART STORES INC COM                 931142103          115      2,040        X    X        2         1,540            500
WALGREEN CO COM                         931422109        5,860    180,256        X             2       179,416            840
WALGREEN CO COM                         931422109          790     24,310        X    X        2        16,710  1,200   6,400
WASTE MANAGEMENT INC NEW COM            94106L109        1,183     31,380        X             2        28,227          3,153
WASTE MANAGEMENT INC NEW COM            94106L109          159      4,205        X    X        2                        4,205
WAUSAU PAPER CORP COM                   943315101          532     69,039        X             2           200         68,839
WAUSAU PAPER CORP COM                   943315101          139     18,041        X    X        2        18,041
WAUWATOSA HOLDINGS INC COM              94348P108          212     20,000        X             2        20,000
WELLPOINT INC COM                       94973V107          264      5,545        X             2         5,295            250
WELLPOINT INC COM                       94973V107           90      1,880        X    X        2         1,880
WELLS FARGO & CO NEW COM                949746101        6,973    293,589        X             2       202,607    500  90,482
                                                     ---------
   COLUMN TOTALS                                        32,568
</TABLE>

<PAGE>

                                                                         PAGE 19


                      REPORT PTR285 4A ASSOCIATED TRUST CO
                       SECURITIES AND EXCHANGE COMMISSION
                               FORM 13-F 06/30/08

<TABLE>
<CAPTION>
            ITEM 1 AND 2                  ITEM 3     ITEM 4       ITEM 5       ITEM 6       ITEM 7           ITEM 8
- --------------------------------------  ---------  -----------  ---------  --------------  --------  -----------------------
                                                                             INVESTMENT
                                                      MARKET     SHARES      DISCRETION                  VOTING AUTHORITY
                                                      VALUE        OR      SOLE SHR OTHER              SOLE    SHARED   NONE
     ISSUER AND TITLE OF CLASS            CUSIP    (THOUSANDS)  PRINCIPAL  (A)  (B)  (C)   MANAGERS     (A)     (B)     (C)
- --------------------------------------  ---------  -----------  ---------  --- ---- -----  --------  --------- ------ -------
<S>                                     <C>        <C>          <C>        <C> <C>  <C>    <C>       <C>       <C>    <C>
WELLS FARGO & CO NEW COM                949746101          473     19,924        X    X        2        11,114  8,810
WEYCO GROUP INC COM                     962149100          265     10,000        X             2        10,000
WEYERHAEUSER CO COM                     962166104           61      1,190        X             2         1,190
WEYERHAEUSER CO COM                     962166104          297      5,813        X    X        2         5,313            500
WISCONSIN ENERGY CORP COM               976657106          607     13,434        X             2        12,459    450     525
WISCONSIN ENERGY CORP COM               976657106          136      3,000        X    X        2         3,000
WYETH COM                               983024100        1,634     34,067        X             2        30,167          3,900
WYETH COM                               983024100            4         80        X    X        2            80
YUM BRANDS INC COM                      988498101          253      7,203        X             2         5,043          2,160
YUM BRANDS INC COM                      988498101           51      1,440        X    X        2         1,440
ZIMMER HLDGS INC COM                    98956P102        4,860     71,424        X             2        69,954     75   1,395
ZIMMER HLDGS INC COM                    98956P102          405      5,947        X    X        2         2,868  2,859     220
SEI STABLE ASSET FUND CLASS 20          999959SG5       42,940 42,940,416        X             2    42,940,416
   FUND # 369
                                                     ---------
   COLUMN TOTALS                                        51,986
   FINAL TOTALS                                      1,455,582
</TABLE>
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
-----END PRIVACY-ENHANCED MESSAGE-----
